122 Risk Management Fixed Income Jobs
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Quantitative Analyst Legal & General - London, City of London, United Kingdom index, etc.High degree of proficiency with IT including strong programming skills in at least one languageKnowledge of the regulatory and legislative landscape as it relates to pension schemes and to de... Yesterday
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Global Banking & Markets - Regulatory Operations, Regulatory Controls, Analyst, London London, England, United Kingdom The Analyst would be involved in helping the team develop and achieve its strategic objectives, with Control Assessments & analytics driving a notable proportion of their overall day to day responsibilities... 2 days ago
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Vice President, Audit Project Leader BNY Mellon - London, United Kingdom Focus on your health, foster your personal resilience, and reach your financial goals as a valued member of our team, along with generous paid leaves that can support you and your family through moments... Competitive Yesterday
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2024 Investment Management Off-cycle Internship - Portfolio Solutions Group (London) Morgan Stanley - London, United Kingdom The team is part of the broader Global Solution and Multi-Asset universe under MSIM. The Investment team manages US$36Bn (at 31 December 2023) in assets and has team members in New York, London, Hong Kong... Competitive Yesterday
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Regulatory Operations – Transaction Reporting – Vice President London, England, United Kingdom Regulatory Operations is a global team that ensures that the firm is compliant with a wide range of non-financial regulatory reporting obligations. We partner with groups across the firm and industry to... More than 30 days ago
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Senior Associate Quantitative Risk Management CME Group - London, United Kingdom Very strong expertise (3+ years) with Bond Mathematics, Fixed income Pricing and Risk modeling as well as with team management 3+ years in developing risk models (e.g. Historical VaR, Monte Carlo VaR,... Competitive 3 days ago
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Global Markets, Risk Advisory Manager Mizuho - London, United Kingdom · Good organisational and communication skills, ability to communicate at all levels and deliver technical explanations in lay-man’s terms, as important components of the role involves liaising with various... 6 days ago
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Assistant Vice President Market Risk (IRRBB) - Mandarin Speaking Bank of China - London Manage both the traded and non-traded market risk exposure of a portfolio consisting of corporate loans/bonds/MM/CDs, as well as derivatives positions (FX forwards/swaps/options and IRS). Monitor various... Yesterday
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Linear Interest Rates Desk Quant, Hedge Fund, London London, United Kingdom This role will be as a quant working with a fixed income team that trade a range of linear interest rate derivative products. The role is best described as being a holistic hedge fund rates quant analyst... 8 days ago
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Associate/Vice President, Portfolio Manager - Multi-Asset Strategies & Solutions London, England, United Kingdom Leading daily portfolio management tasks including implementing multiple investment strategies, handling client flows, FX hedging, rebalancing and monitoring positioning, and risk/ performance decomposition... 6 days ago
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